A straightforward approach to hedging risk in equity, fixed income, commodity, currency, and mortgage markets Hedging is today s key risk management tool for financial professionals in a wide va…
Moorad continues to demonstrate his financial expertise, and shows us why he is one of the best-selling authors in our industry today. - Eric Subliskey, Vice President, Short-Term Fixed Income JPMo…
The last eleven years have witnessed three traumatic events in the global financial markets: the equity crash of 1987, the bond crash of 1994, and the more recent currency crisis in Asia. In the te…
For advanced undergraduate or graduate business, economics, and financial engineering inferducing ins, options and futures, financial engineering or risk management. Designed to bridge the gap betw…
This book explores whether foreign direct investment (FDI) can contribute to the competitiveness of industries in Central Europe and to narrowing the gap between these transition economies and coun…
Comprises case studies based on statistical surveys, interviews and policy analyses of foreign direct investment (FDI) in China, Hong Kong, Indonesia, Malaysia, the Philippines and Thailand, and FD…
Focusing on the New Order government after 1967, this study provides a thorough examination of foreign investment in the industrialization of Indonesia and its impact on local and regional economic…
The authors seek to provide the reader with the information they need to profit from the explosive economic growth expected in developing countries in the coming years, covering money making invest…
Recent events in Eastern Europe have brought questions of foreign investment to the fore. Why should foreign concerns want to invest in countries like Poland and Hungary? What are the pitfalls to b…